4th Edition Model Risk
Today model risk is more than ever at the top of companies’ agendas due to the pressing demands from the regulators for transparency and clarity of models companies use. Moreover, internal pressures for avoiding losses due to model risk force companies to invest heavily in model risk infrastructure to avoid issues in the future.
Join Heads of Model Risk, Model Validation and Risk Management as they address specific issues in day to day operations, including modeling in international banks, model risk quantification, model development, and internal audit versus internal validation.
This GFMI marcus evans conference will help companies in the financial industry to better control model risk across an organization and set up a model risk governance system to maintain success over time. The event will facilitate the development of new model risk quantification and validation practices for the industry. Last but not least, it will strengthen the dialogue between the industry and the regulators when it comes to model risk issues.